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Dynamic portfolio rotation trading system backtesting and technical analysis
Apply the Markowitz Theory and CAPM to construct the optimal portfolio
Determining optimal weightings for a portfolio of financial assets or businesses
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Dynamic portfolio rotation trading system backtesting. Matrix calculations of a list of securities over a date range allow for stock rotation through a portfolio, and a new category of "Market Breadth" indicators. 55 technical indicators are included (and more in the works), as well as a large number of mathematical functions, all of which can be combined to create specific trading rules and screening criteria.
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Apply the Markowitz Theory and Capital Asset Pricing Model (CAPM) to analyze and construct the optimal portfolio with/without asset weight constraints with respect to Markowitz Theory by giving the risk, return or investors utility function; or with respect to CAPM by given the risk, return or Market Portfolio weighting. Also includes Performance Evaluation, interpolation procedures, analysis of Efficient Frontier, Market Portfolio and CML.
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The Portfolio Optimization model calculates the optimal capital weightings for a basket of investments that gives the highest return for the least risk. The unique design of the model enables it to be applied to either financial instrument or business portfolios. The ability to apply optimization analysis to a portfolio of businesses represents an excellent framework for driving capital allocation, investment, and divestment decisions.
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Apply the Markowitz Theory and Capital Asset Pricing Model (CAPM) to analyze and construct the optimal portfolio with/without asset weight constraints with respect to Markowitz Theory by giving the risk, return or investors utility function; or with respect to CAPM by given the risk, return or Market Portfolio weighting. Also includes Performance Evaluation, interpolation procedures, analysis of Efficient Frontier, Market Portfolio and CML.
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Apply the Markowitz Theory and Capital Asset Pricing Model (CAPM) to analyze and construct the optimal portfolio with/without asset weight constraints with respect to Markowitz Theory by giving the risk, return or investors utility function; or with respect to CAPM by given the risk, return or Market Portfolio weighting. Also includes Performance Evaluation, interpolation procedures, analysis of Efficient Frontier, Market Portfolio and CML.
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TeamTrade provides portfolio management and technical analysis for the stock market. The following technical analysis features are supported by TeamTrade: basic line, OHLC, candle chart, equivolume, and candlevolume styles. Templates so you can open charts the way you like to see them. Ability to save charts for future review and modification. Daily, weekly, and monthly data views. Chart drawing tools such as trend lines, highlights, and fibona..
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All-in-one technical analysis solution for Microsoft Excel: 146 technical analysis functions, historical data downloads, real-time quotes, neural network-based prediction and classification. You can automatically build charts, create macros. It downloads free historical end-of-day stocks, indexes, mutual funds and futures, delayed and real time quotes for stocks, options, indexes and other securities for more than 50 markets worldwide.
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Financial Analysis is a software product that even in it`s most basic standard edition offers great possibilities for evaluating business or portfolio performances. This easy to use program gives you results rich both in numerical as in graphic presentations. Powerful tool for every financial professional or investor.
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MALINA Portfolio is a compact, nicely organized cute color tool for creating and maintaining your winning personal investment portfolio using any Palm-OS handheld, with possibility of almost real-time updating stock prices through the Internet. MALINA Portfolio has all necessary features to track stocks, keep records, easy update quotes and watch indexes. MALINA Portfolio is intended for any handheld with Palm OS 2.0 and later. Unlike other han..
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The Portfolio Performance Monitoring model enables the ongoing monitoring and periodic valuation of a portfolio of financial investments. The model allows the entering of investment transactions during a reporting period to calculate performance. Furthermore, incremental investment transactions undertaken during a period are fully accounted for in the period's performance calculations.
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